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Council Meeting/Documents/SCHEDULE A - Town of View Royal 5 Year Financial Plan 2016-2020
Appendix

SCHEDULE A - Town of View Royal 5 Year Financial Plan 2016-2020

December 6, 2016Page 791 section

Updated financial plan table detailing revenues, expenses, and capital expenditures through 2020.

10.a) Financial Plan Bylaw No. 945, 2016, Amendment Bylaw No. 957, 2016 A Bylaw to Amend Financial Plan Bylaw No. 945, 2016
2017 Taxation Revenue Budget = $7,721,2022017 Annual Surplus = $1,566,630 after adding back amortizationCapital expenditures for 2017 = $1,892,149

Financial Plan Bylaw No. 945, 2016 Amendment Bylaw 957, 2016

Schedule "A"

Town of View Royal 5 Year Financial Plan

For the years 2016 to 2020

2016 Budget 2017 Budget 2018 Budget 2019 Budget 2020 Budget
Revenues:
Taxation 7,403,364 7,721,202 7,832,953 8,073,912 8,294,394
Sales of Services 978,072 956,689 982,783 1,001,813 1,019,381
User Fees 1,272,724 1,359,752 1,329,089 1,351,330 1,372,069
Other Revenue 156,786 174,453 176,582 177,953 179,351
Investment Income 115,000 117,000 119,040 121,121 123,243
Penalties and Fines 58,300 59,466 60,655 61,868 63,106
Grants and Contributions 4,065,144 2,582,285 3,307,968 3,574,635 2,574,635
Contributions from Developers and others for capital 218,861 45,000 - - -
14,268,251 13,015,847 13,809,070 14,362,632 13,626,180
Expense:
General Operating Expenditures 10,518,345 10,256,133 10,511,966 10,719,598 10,899,899
Sanitary Sewer Operating Expenditures 853,934 931,450 891,085 903,430 914,075
Interest on Debt 263,033 261,633 260,633 260,633 260,633
Amortization 2,750,000 2,786,100 2,870,900 2,979,400 3,032,988
14,385,312 14,235,316 14,534,584 14,863,061 15,107,595
Annual Surplus/(Deficit) (117,061) (1,219,470) (725,515) (500,429) (1,481,415)
Add back: Unfunded Amortization 2,750,000 2,786,100 2,870,900 2,979,400 3,032,988
2,632,939 1,566,630 2,145,385 2,478,971 1,551,573
Capital Expenditures:
General Capital 2,441,916 1,857,149 1,822,609 2,223,000 809,000
Sanitary Sewer Capital 470,000 35,000 335,000 45,000 -
2,911,916 1,892,149 2,157,609 2,268,000 809,000
Proceeds from Borrowing - (337,500) - - -
Principal Payment on Debt 385,470 385,470 306,470 306,470 306,470
Trf to Reserve Funds 183,750 183,750 183,750 183,750 183,750
Trf from Reserve Funds (809,696) (316,800) (535,600) (271,900) (153,200)
Trf to/(from) Accumulated Surplus (38,501) (240,438) 33,156 (7,349) 405,553
(278,977) (325,518) (12,224) 210,971 742,573
Financial Plan Balance 0 0 0 0 0
Page 79
Extracted from: 2016 12 06 Council Agenda - Pdf